Is the stock market bubble about to burst? In this week’s Switzer Investing TV, Peter Switzer is joined by Fairmont Equities’ Mike Gable and Switzer Report’s Paul Rickard to break down the data — and the danger.
We cover:
Warning signs from the S&P 500 and Nasdaq
Why the latest US jobs report spooked the bond market
Which sectors are attracting defensive money (healthcare, resources)
The case for uranium stocks, despite the Boss Energy shock
Whether now is the time to rotate out of CBA
Income portfolio strategy in a higher-risk, lower-yield world
Looking for clarity on short-term risks and long-term opportunities? This episode is for you.
Stocks discussed: ResMed, CSL, Xero, Mesoblast, BHP, CBA, WCMQ, and more.
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